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TSK Ejendomme ApS — Credit Rating and Financial Key Figures

CVR number: 38620215
Aggershusvej 11 A, Otterup 5450 Otterup
tsk80@live.dk
tel: 28235858
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit861.13675.714 721.712 836.413 003.62
Employee benefit expenses-80.44- 131.54- 494.21- 166.01- 113.00
Total depreciation-23.53- 126.06- 139.50- 161.60- 212.59
Reduction in value of non-current assets1 149.00-81.003 301.441 401.341 309.99
EBIT1 906.16337.124 088.012 508.802 678.04
Other financial income4.231.6661.5833.4915.98
Other financial expenses- 287.36- 363.42- 687.97- 925.29- 770.70
Pre-tax profit1 623.03-24.643 461.621 616.991 923.32
Income taxes- 359.911.46- 762.67- 364.59- 428.43
Net earnings1 263.12-23.182 698.951 252.401 494.88

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters1 632.582 300.002 324.652 250.62
Buildings15 142.0021 729.2228 579.6531 500.0034 800.00
Machinery and equipment426.69362.8483.77372.31298.98
Advance payments and construction in progress932.25957.55
Tangible assets total16 500.9423 724.6331 920.9634 196.9637 349.60
Investments total
Long term receivables total
Inventories total
Current trade debtors14.1713.7522.112.3925.50
Current amounts owed by group member comp.355.26723.89307.99
Current other receivables43.0013.7254.31
Short term receivables total57.1713.75391.10780.59333.49
Cash and bank deposits134.81755.68209.081 137.32
Cash and cash equivalents134.81755.68209.081 137.32
Balance sheet total (assets)16 558.1123 873.1933 067.7435 186.6338 820.42

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital50.0050.0050.0050.0050.00
Asset revaluation reserve441.05426.35411.65
Other reserves-0.00
Retained earnings3 786.285 049.405 026.227 739.879 006.97
Profit of the financial year1 263.12-23.182 698.951 252.401 494.88
Shareholders equity total5 099.405 076.228 216.229 468.6210 963.51
Provisions1 194.261 163.692 022.722 317.122 584.60
Non-current loans from credit institutions8 460.2713 895.7020 801.5521 208.2222 375.88
Non-current advances received428.00460.00
Non-current other liabilities287.20239.34876.70896.991 036.66
Non-current deferred tax liabilities93.2030.40220.74267.49354.21
Non-current liabilities total9 268.6714 625.4321 898.9922 372.7023 766.76
Current loans from credit institutions293.90340.00548.86623.71717.71
Advances received40.7536.8548.9551.7458.75
Current trade creditors18.511 770.2956.28143.8260.39
Current owed to participating540.00
Current owed to group member318.17730.5820.00146.4828.03
Short-term deferred tax liabilities243.6793.2030.4029.2776.02
Other non-interest bearing current liabilities80.7724.93206.9914.836.32
Accruals and deferred income12.0018.3318.3318.33
Current liabilities total995.773 007.85929.811 028.191 505.56
Balance sheet total (liabilities)16 558.1123 873.1933 067.7435 186.6338 820.42
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